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Fall 2012
Law No.: LAW8016
Sched. No.: 112820709
Securities Regulation
Section 1
X
Curtis, Quinn
Administrative Information:
During SIS enrollment, check
on SIS
for real-time enrollment numbers
Days, Times (Room):
TR, 1410-1530 (WB102)
Credits:
3
Type:
Lecture
Capacity:
77
**This information is current as of
05/24/2013 06:18:32 AM
**
Current Enrollment:
77
**This information is current as of
05/24/2013 06:18:32 AM
**
Syllabus:
View Syllabus
(requires LawWeb account)
Course Description:
This course is an introduction to the statutes administered by the Securities and Exchange Commission and the rules the SEC promulgates under them. They regulate companies whose securities are sold into and traded in securities markets and financial institutions that market and trade those securities. The course introduces students to (1) the impact of the securities statutes on the governance and financing of a public company and (2) the major financial intermediaries that make up the securities industry. It also provides a case study in the techniques and culture of the modern administrative state through close scrutiny of the SEC’s policies and procedures. The course will help prepare students to work on standard securities transactions or to be an effective member of a litigation team representing a party in securities litigation, both substantial practice areas in law firms.
PREREQUISITE: Corporations or Corporations (Law & Business)
MUTUALLY EXCLUSIVE with: Securities Regulation (Law & Business)
COURSE REQUIREMENT: Examination
Prerequisites:
Corporations or Corporations (Law & Business)
Mutually Exclusive with:
Securities Regulation (Law & Business)